* 4 day a week role - Monday to Thursday
* Possible temporary to permanent opportunity
About Our Client
Our client is an SME organisation found within the Business Services sector. Headquartered in Solihull, they have a strong regional presence, the team is driven by innovation and they pride themselves in offering tailored solutions to their clients
Job Description
* Accounts payable
* Full daily bank/Credit card/PLEO reconciliations
* Allocate spend to correct nominal codes, with correct VAT codes.
* Updating Cashflow daily with incomings and outgoings.
* Production of monthly management accounts.
* Check Sales team Commissions.
* Deal with member queries and refund requests (Customer emails & Calls)
* VAT returns
* Dealing with adhoc requests
* Supporting year end process
* Preparing financial information for the exec
* Developing and implementing financial strategies for the company
* Overseeing and managing the financial department and related operations
* Preparing and presenting financial reports to the board
* Ensuring compliance with financial regulations and standards
The Successful Applicant
* Capable hands on Controller
* Proven experience in a similar role within the Business Services sector
* Experience of working in a fast paced environment
* Strong systems skills including Xero
* Strong knowledge of financial regulations and standards
What's on Offer
* Day rate £250 - £350 a day
* Monday to Thursday role
* Based at the company offices in Solihull - great facilities onsite
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